13F

Investor

Bill Few Associates, Inc.

CIK 0001914644 · filed 2026-04-08 · SEC filing

13F book

$417.5M

Positions

211

21 new · 6 sold

Largest name

9.5%

J P Morgan Exchange Traded F

Est. mark

−$9.53M

Price effect on 190 names still held. Flow $20.2M.
NameTickerSharesValueWeightEst. markChange
J P Morgan Exchange Traded F776.8K$39.6M9.5%−$45.5KAdded$884.8K
Apple Inc.AAPL103.2K$26.2M6.3%−$1.67MAdded$1.04M
Nvidia CorpNVDA92K$16M3.8%−$1.11MCut−$1.22M
Microsoft CorpMSFT40.2K$14.9M3.6%−$4.41MAdded−$3.93M
Alphabet Inc40.1K$11.5M2.8%−$1.08MCut−$1.1M
Jpmorgan Chase & Co.34.2K$10.1M2.4%−$939.6KAdded−$723.6K
Tjx Cos Inc New60.5K$9.66M2.3%$345.3KAdded$951.2K
AbbVie Inc.ABBV42.6K$9.27M2.2%−$460.6KAdded−$302.5K
Exxon Mobil Corp49.9K$8.47M2.0%$2.46MAdded$2.48M
Applied Matls Inc19.5K$6.67M1.6%$1.65MAdded$1.66M
Oracle Corp44.1K$6.49M1.6%−$2.1MAdded−$2.07M
Capital Group Dividend Value152.2K$6.47M1.6%−$145.7KAdded$694.6K
Spdr Series Trust104.3K$6.18M1.5%$132.8KAdded$301.7K
Verizon Communications IncVZ122.5K$6.15M1.5%$1.1MAdded$1.41M
Chevron Corp NewCVX29.7K$6.14M1.5%$1.58MAdded$1.73M
Vanguard Index Fds10.1K$6.02M1.4%−$230.7KAdded$1.13M
Cencora, Inc.COR17.9K$5.63M1.3%−$422.1KAdded−$407.9K
Rockwell Automation, IncROK14.4K$5.15M1.2%−$428.7KAdded−$366.3K
Berkshire Hathaway Inc Del10.6K$5.07M1.2%−$242.9KAdded−$132.2K
Home Depot, Inc.HD15.3K$5.04M1.2%−$228.6KAdded−$135.9K
Procter And Gamble CoPG34.5K$4.98M1.2%$38.3KAdded$131.3K
American Express CoAXP16.2K$4.91M1.2%−$1.1MCut−$1.13M
Cisco Sys Inc62.7K$4.87M1.2%$34.6KAdded$92.6K
Dominion Energy, IncD74.5K$4.61M1.1%$235.5KAdded$334.6K
Abbott LabsABT44.5K$4.57M1.1%−$979.9KAdded−$855.5K
International Business Machs18.6K$4.52M1.1%−$975KAdded−$849.6K
Pepsico IncPEP29K$4.5M1.1%$330KAdded$479.4K
Blackstone Inc.BX37.2K$4.28M1.0%−$1.45MAdded−$1.42M
Honeywell Intl Inc17.7K$4.01M1.0%$532.2KAdded$656.5K
Capital Group Gbl Growth Eqt114.6K$3.83M0.9%−$140.1KAdded$33.7K
American Tower Corp New21K$3.63M0.9%−$59.8KAdded$118.7K
Avery Dennison CorpAVY20.9K$3.61M0.9%−$134.5KAdded$955.3K
Spdr Series Trust36.8K$3.53M0.8%$116.6KAdded$477.3K
Eaton Corp PlcETN9.85K$3.52M0.8%$364.3KAdded$560.3K
Ugi Corp New93.2K$3.39M0.8%−$92.1KAdded−$17.9K
Alphabet Inc11.7K$3.37M0.8%−$298.2KCut−$556.1K
Spdr Series Trust35.3K$3M0.7%$17.1KAdded$114.6K
Us Bancorp Del57.5K$2.99M0.7%−$60KAdded$618.1K
Capital Group International85K$2.87M0.7%−$76.3KAdded$217.4K
Trust For Professional Manag118K$2.87M0.7%−$324.3KCut−$1.4M
Pnc Finl Svcs Group Inc13.8K$2.86M0.7%−$8.62KAdded$35.3K
Spdr Series Trust58.7K$2.84M0.7%$80.8KAdded$243.7K
Capital Group Growth Etf68.6K$2.76M0.7%−$233.2KAdded$333.4K
Automatic Data Processing In13.4K$2.72M0.7%−$724KCut−$729.9K
Pfizer IncPFE92.1K$2.58M0.6%$272KAdded$454.8K
Disney Walt Co26.8K$2.58M0.6%−$448.5KAdded−$351.8K
Capital Group Intl Focus Eqt85.1K$2.51M0.6%−$4.81KAdded$139.4K
Johnson & JohnsonJNJ9.21K$2.25M0.5%$345.5KHeld
J P Morgan Exchange Traded F25.9K$2.19M0.5%−$140.3KAdded$612.6K
Starbucks CorpSBUX24.1K$2.16M0.5%$123.1KAdded$236.1K
Lazard Active Etf Tr66.3K$2.11M0.5%$15.3KAdded$1.78M
Kraft Heinz CoKHC90.4K$2.03M0.5%−$155KAdded−$102.7K
Walmart Inc.WMT16.3K$2.03M0.5%$209.9KCut$21.2K
Eli Lilly & CoLLY2.15K$1.98M0.5%−$333.3KCut−$407.5K
Spdr Series Trust20.8K$1.97M0.5%$71.3KAdded$169.4K
Spdr S&P 500 Etf Tr2.98K$1.94M0.5%−$94KAdded−$89.5K
Spdr Index Shs Fds40.9K$1.87M0.4%$48.1KAdded$142.3K
Amazon Com IncAMZN8.96K$1.87M0.4%−$201.9KCut−$470.1K
Visa Inc.V5.41K$1.63M0.4%−$229.1KAdded−$23.3K
Merck & Co., Inc.MRK12.9K$1.55M0.4%$193.1KCut$185.8K
F N B Corp87.4K$1.46M0.4%−$33.1KAdded−$28.7K
Berkshire Hathaway Inc Del2$1.44M0.3%−$73.3KHeld
John Hancock Exchange Traded39.3K$1.42M0.3%$26.4KAdded$441.1K
Vanguard Index Fds4.36K$1.4M0.3%−$63KCut−$99.6K
Fidelity Merrimack Str Tr32.4K$1.4M0.3%−$12.6KCut−$87.5K
Ishares Tr14K$1.36M0.3%$13.5KCut−$3.88K
Caterpillar IncCAT1.89K$1.34M0.3%$256.5KCut$131.6K
Capital Grp Fixed Incm Etf T49.7K$1.3M0.3%−$12.4KAdded$40.3K
Spdr Series Trust13.3K$1.3M0.3%−$112.8KAdded−$70.5K
Capital Group Core Equity Et33.7K$1.29M0.3%−$53.4KAdded$108.5K
Invesco Qqq Tr2.18K$1.26M0.3%−$55.5KAdded$338.1K
T Rowe Price Etf Inc28.1K$1.25M0.3%−$8.72KAdded$101.2K
Spdr S&P Midcap 400 Etf Tr2.03K$1.25M0.3%$27.4KCut$25.6K
Raymond James Finl Inc8.6K$1.24M0.3%−$135.8KHeld
Mcdonalds CorpMCD3.98K$1.24M0.3%$18.5KAdded$142.5K
Vanguard Intl Equity Index F15.7K$1.18M0.3%$22.9KAdded$83.5K
Becton Dickinson & CoBDX7.13K$1.12M0.3%−$258.5KAdded−$240.4K
Ishares Tr1.71K$1.12M0.3%−$45.9KAdded$125.3K
Philip Morris Intl Inc6.63K$1.1M0.3%$32.6KAdded$40.5K
Spdr Series Trust11.3K$1.09M0.3%$22.5KAdded$221.3K
Rbb Fund Trust23K$1.08M0.3%$22.4KCut−$50K
At&T Inc36.9K$1.07M0.3%$137KAdded$249.8K
Taiwan Semiconductor Mfg Ltd3.14K$1.06M0.3%$106.7KAdded$110.1K
Deere & CoDE1.88K$1.06M0.3%$183.6KHeld
Valero Energy Corp4.01K$990.8K0.2%$337.5KAdded$338.7K
Marathon Pete Corp3.94K$962.6K0.2%$321.5KHeld
Altria Group, Inc.MO14.6K$961K0.2%$118.2KAdded$142.7K
Bank New York Mellon Corp7.44K$882.9K0.2%$15.7KAdded$163.6K
Ishares Tr3.55K$880.2K0.2%$6.53KHeld
J P Morgan Exchange Traded F12.2K$872.6K0.2%$326Added$93.7K
Ppg Inds Inc8.02K$857.1K0.2%$35.5KCut−$63K
Costco Whsl Corp New833$830K0.2%$111.7KCut$97.9K
Stryker CorpSYK2.49K$817.9K0.2%−$56.9KAdded−$56.5K
J P Morgan Exchange Traded F17K$815.9K0.2%$22.1KAdded$56.3K
Waste Mgmt Inc Del3.49K$802K0.2%$34.9KAdded$40.7K
Ge Aerospace2.81K$797.4K0.2%−$68.1KCut−$85.7K
Amgen IncAMGN2.24K$787.6K0.2%$45.7KAdded$181.2K
J P Morgan Exchange Traded F15.6K$755.9K0.2%$2.55KAdded$109.4K
RTX CorpRTX3.67K$708.9K0.2%$34.9KCut$20.4K
Lockheed Martin CorpLMT1.15K$693.3K0.2%$138.4KCut$65.3K
Harbor Etf Trust24.7K$684.4K0.2%−$74KAdded$2.88K
Meta Platforms, Inc.META1.19K$681.5K0.2%−$99.9KAdded−$68.4K
Duke Energy Corp New5.15K$674K0.2%$70.4KAdded$73.5K
Union Pac Corp2.69K$651.4K0.2%$30.3KAdded$31.3K
Tesla, Inc.TSLA1.75K$650.9K0.2%−$136.5KCut−$284K
GE Vernova Inc.GEV744$649.4K0.2%$163.2KHeld
Intel CorpINTC13.9K$614.5K0.1%$100.7KCut$87.2K
Nextera Energy Inc6.61K$613.9K0.1%$83.1KAdded$84.3K
Lam Research CorpLRCX2.83K$603.8K0.1%$120KCut$105.8K
Wabtec2.36K$589.8K0.1%$86.1KHeld
Bristol-Myers Squibb Co9.63K$584.1K0.1%$64.6KCut$61.5K
Kimberly Clark CorpKMB5.73K$553K0.1%−$22.6KAdded$37.2K
ConocophillipsCOP4.12K$543.7K0.1%$158.1KCut$116.5K
Spdr Series Trust9.6K$543.3K0.1%−$1.88KAdded$78K
Sprott Asset Management Lp22.1K$540.2K0.1%$16.4KHeld
Marsh & Mclennan Cos Inc3.09K$536K0.1%−$37.2KAdded−$36.4K
Capital Grp Fixed Incm Etf T19.5K$529.3K0.1%−$4.45KAdded−$569
3M COMMM3.63K$527.1K0.1%−$53.9KAdded−$53.4K
Shell Plc5.56K$517K0.1%$108KAdded$110.6K
Franklin Templeton Etf Tr18K$516.6K0.1%New
Nucor CorpNUE3.05K$515.3K0.1%$18.3KHeld
Eqt CorpEQT7.97K$507.1K0.1%$80KCut$54K
Ppl Corp13.2K$505.5K0.1%$41.7KAdded$45.8K
Ishares Tr7.44K$502.6K0.1%$11.4KCut$5.25K
Southern Co4.93K$475.5K0.1%$45.8KAdded$47.1K
Genuine Parts CoGPC4.46K$472.1K0.1%−$57.8KAdded$59.3K
Dimensional Etf Trust6.57K$467.5K0.1%$9.6KHeld
Netflix IncNFLX4.84K$465.4K0.1%$11.6KCut−$38.6K
Coca Cola CoKO6.12K$465.4K0.1%$37.3KAdded$40.4K
Dover CorpDOV2.23K$465.1K0.1%$29.5KAdded$29.9K
Spdr Gold Tr1.03K$444.5K0.1%$22.7KAdded$180.2K
First Comwlth Finl Corp Pa25.3K$444.1K0.1%$18.2KAdded$18.2K
Gilead Sciences, Inc.GILD3.09K$431.1K0.1%$50.7KAdded$55.9K
Steel Dynamics IncSTLD2.32K$417.2K0.1%$19.2KAdded$109.2K
Archer-Daniels-Midland CoADM5.68K$412.9K0.1%$74KAdded$133.2K
Invesco Exch Trd Slf Idx Fd17.5K$412.5K0.1%−$349Held
Invesco Exch Trd Slf Idx Fd17.1K$404.9K0.1%−$192Held
General Dynamics CorpGD1.15K$396.1K0.1%$7.68KAdded$8.71K
Putnam Etf Trust33.8K$389.7K0.1%New
Schwab Strategic Tr15.4K$387.2K0.1%−$17.2KAdded−$11.2K
Federated Hermes, Inc.FHI6.78K$384.7K0.1%New
Franklin Templeton Etf Tr15.3K$379.3K0.1%−$1.22KHeld
Howmet Aerospace Inc.HWM1.63K$375.2K0.1%$38KAdded$68.9K
Fedex CorpFDX1.04K$371.4K0.1%$69.9KAdded$70.3K
Kla CorpKLAC251$369.7K0.1%$64.6KHeld
Norfolk Southn Corp1.28K$368.5K0.1%−$2.21KCut−$4.81K
Ishares Tr4.82K$367.7K0.1%$3.76KAdded$167.7K
Palantir Technologies Inc.PLTR2.45K$358.7K0.1%−$76.8KAdded−$74.9K
Wells Fargo Co New4.36K$347.3K0.1%−$58KAdded−$50K
Fifth Third Bancorp7.43K$345.2K0.1%−$2.6KHeld
Corning Inc2.53K$344K0.1%$122.5KCut$63.8K
Csx CorpCSX8.37K$343.5K0.1%$39.8KAdded$43.1K
Putnam Etf Trust43.8K$341.2K0.1%New
Morgan Stanley Etf Trust6.84K$329.5K0.1%−$7.7KAdded$34.8K
Boeing Co1.63K$324.3K0.1%−$29.4KAdded−$29K
Crown Castle Inc.CCI3.96K$321.8K0.1%−$29.9KCut−$37.8K
Lowes Cos Inc1.36K$320.3K0.1%−$6.79KAdded−$6.08K
New York Life Invts Active E13.1K$316.5K0.1%−$2.95KHeld
Vanguard Mun Bd Fds6.33K$316K0.1%−$2.53KHeld
Invesco Exch Trd Slf Idx Fd15.3K$313.3K0.1%−$2.72KHeld
Capital Group Core Balanced8.88K$305.5K0.1%New
Invesco Exch Trd Slf Idx Fd11.9K$303K0.1%−$5.2KHeld
Invesco Exch Trd Slf Idx Fd12.2K$302.1K0.1%−$3.11KHeld
Ishares Tr708$301.9K0.1%−$26.3KAdded$36.4K
Invesco Exch Trd Slf Idx Fd13.1K$300.7K0.1%−$1.65KHeld
Invesco Exch Trd Slf Idx Fd12.8K$300.3K0.1%−$1.34KHeld
Wesbanco Inc8.6K$296.6K0.1%$10.7KAdded$11.9K
Exelon CorpEXC5.97K$292.6K0.1%$32.3KAdded$33.2K
Southside Bancshares IncSBSI9.37K$291.3K0.1%$4.98KAdded$74.6K
Palo Alto Networks IncPANW1.81K$290.5K0.1%−$40.6KAdded−$22.5K
Ishares Tr2.38K$287.9K0.1%−$9.69KAdded$72.6K
Invesco Exch Trd Slf Idx Fd17.2K$286.9K0.1%−$3.45KHeld
Salesforce, Inc.CRM1.53K$286.4K0.1%New
Bp Plc6.08K$285.8K0.1%New
Constellation Energy CorpCEG1.02K$285.2K0.1%−$75.5KAdded−$75.2K
Select Sector Spdr Tr6.2K$284.5K0.1%$15.5KAdded$78.4K
Public Storage Oper Co1.04K$281.3K0.1%$11.6KAdded$12.1K
General Mls IncGIS7.4K$275.5K0.1%−$44.1KAdded$54.6K
Target CorpTGT2.26K$273.5K0.1%New
Invesco Exch Trd Slf Idx Fd16.6K$273.2K0.1%−$3.9KHeld
Cardinal Health IncCAH1.29K$272.5K0.1%$7.58KAdded$7.79K
Ishares Tr2.75K$267.3K0.1%$3.03KHeld
Ishares Tr2.15K$267K0.1%$8.87KHeld
Black Hills Corp3.83K$265.8K0.1%New
Oneok Inc /New/OKE2.87K$259.4K0.1%$48.5KHeld
Citigroup Inc2.28K$258.7K0.1%−$7.49KCut−$9.94K
Chubb Limited791$257.9K0.1%$11KHeld
Price T Rowe Group IncTROW2.82K$254.3K0.1%−$33KAdded−$22K
American Centy Etf Tr5.04K$252.3K0.1%New
Thermo Fisher Scientific Inc.TMO513$252.2K0.1%−$45.1KCut−$50.9K
Old Rep Intl Corp6.25K$249.3K0.1%−$34.7KAdded−$26.4K
Vanguard Tax-Managed Fds3.86K$247.3K0.1%$6.21KHeld
Northwest Nat Hldg Co4.6K$244.7K0.1%New
Balchem CorpBCPC1.4K$237.3K0.1%$22.6KHeld
Emerson Elec Co1.77K$232.1K0.1%−$2.99KAdded$681
Invesco Exch Trd Slf Idx Fd9.42K$228.5K0.1%New
Consolidated Edison IncED2.02K$228.4K0.1%New
Coherent Corp.COHR950$226.3K0.1%New
Smucker J M Co2.32K$223.6K0.1%New
United Parcel Service IncUPS2.26K$222.6K0.1%−$1.91KCut−$20.9K
Micron Technology IncMU645$217.9K0.1%New
The Campbells Company9.78K$217.9K0.1%New
Invesco Exch Trd Slf Idx Fd11.6K$216.5K0.1%−$2.03KHeld
Vanguard Whitehall Fds2.28K$215.1K0.1%$9.68KHeld
Unitedhealth Group IncUNH794$214.9K0.1%−$47.3KCut−$55.6K
Mastercard IncMA427$213.4K0.1%−$30.3KAdded−$29.8K
Wec Energy Group, Inc.WEC1.82K$210.6K0.1%New
Ishares Tr1.8K$203.4K0.0%−$18.2KHeld
Mckesson CorpMCK234$202.5K0.0%New
Conagra Brands Inc.CAG10.9K$171.9K0.0%New
Organon & Co.OGN13.9K$83.5K0.0%New

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.